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How can i determine the values by applying an appropriate valuation model from the following options: price to multiple model (earning or sales), dividend valuation

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How can i determine the values by applying an appropriate valuation model from the following options: price to multiple model (earning or sales), dividend valuation model, or free cash flow to equity valuation model for the 5 stocks..

1) IBM

2) KO

3) BAX

4)NFLX

5) GE

CAPM Inputs are:

Market return = 9%

Risk free rate = 0.75%

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Market Return 9% Risk-free Rate 0.75% Estimated 5 Year Average Industry Average Industry |Free Cash Symbol Beta Dividends Earnings Sales Free Cash Flow Dividend Growth P/E Ratio P/S Ratio Flow Chart IBM 13.7 23.7 1.12 2.60% KO 8.3 22.6 2.2 6.50% BAX -16.9 36.09 3.68 N/A NFLX N/A 52.5 6 N/A GE 9.7 23.8 2.59 N/A HIGHLIGHTED MUST BE USED FROM LAST YEAR

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